Presentation is loading. Please wait.

Presentation is loading. Please wait.

1 13 September 2006 EXPENDITURE TO 30 JUNE 2006 bbbbbbbbbbbbbbbbb.

Similar presentations


Presentation on theme: "1 13 September 2006 EXPENDITURE TO 30 JUNE 2006 bbbbbbbbbbbbbbbbb."— Presentation transcript:

1 1 13 September 2006 EXPENDITURE TO 30 JUNE 2006 bbbbbbbbbbbbbbbbb

2 2 CONTENTS OF PRESENTATION Opening Purpose: Sec 32 reporting Budget Challenges & Constraints Policy Imperatives Interventions & Corrective measures

3 3 PROJECTION METHODOLOGY If projections are calculated linearly for 3 months out of 12 then the projected expenditure is 25% of the total Projects start and stop at different times and this is not a suitable method for evaluating projects An alternative method of Activity Based Costing is used: –linear projections but with adjustments for individual projects and interventions such as performance bonuses and salary increases.

4 4 BUDGET

5 5 MAIN INDICATORS: Programmes

6 6 Projected for 3 months: (R1066 mil / 12) * 3 = R 267 mil DEPARTMENTAL UNDER- EXPENDITURE 30 JUNE 06

7 7 MAIN INDICATORS: Economic Classification -12% -28% -27% -40%

8 8 30 June 06 Spending Outcomes 19% 23% 15% 26% 7% % of budget spent: Target = 25%

9 9 PROGRAMME 3: Roads Infrastructure

10 10 Approaches to bridges washed away

11 11 Bridge decks damaged

12 12 Drainage structures (pipes) exposed

13 13 Gravel wearing course washed away

14 14 Gravel wearing course washed away

15 15 Erosion damage along roads Erosion damage along roads

16 16 Underlying damage Underlying damage due to water ingress into brittle and cracked seals due to water ingress into brittle and cracked seals The total effect will only be evident in the months to come…

17 17 Underlying damage Underlying damage due to water ingress into brittle and cracked seals due to water ingress into brittle and cracked seals

18 18 Resultant damages

19 19

20 20 MAIN INDICATORS: Programmes -32% -7% -70% 0% +3% -300% % Over/Under linear projected amount

21 21 ROADS CONSTRUCTION Cash flow per month

22 22 ROADS CONSTRUCTION Capital full capacity spending

23 23 PROGRAMME 4: Public Transport

24 24 PROGRAMME 4: Traffic Management

25 25 PROGRAMME 1: Administration

26 26 PROGRAMME 2: Public Works

27 27 PROGRAMME 6: CBPWP

28 28 Works Expenditure for clients 30 June 06 28% 42% 10% 20% 16% 9% % of Linear projection: Target = 25%

29 29

30 30 Clinic Construction

31 31 SEDERHOF

32 32 REVENUE

33 33 REVENUE -20% -14% +25% Over/Under Projected

34 34 CHALLENGES AND CONSTRAINTS Infrastructure delivery Planning procedures Project Management Monitoring Consultants Client departments Floods Identify appropriate staff, engineers, project and financial managers Material supplies

35 35 Policy imperatives EPWP implementation Construction charter Financial institutions CIDB Taxi Recapitalisation – Testing stations 2010 requirements and deadlines

36 36 Interventions and corrective measures Appropriate staff for infrastructure delivery Changed planning patterns Fast-track payments Streamline operations Batho Pele: Testing stations and Revenue Authorities

37 37 THANK YOU


Download ppt "1 13 September 2006 EXPENDITURE TO 30 JUNE 2006 bbbbbbbbbbbbbbbbb."

Similar presentations


Ads by Google